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Official portrait of Rep. Leach, James A. [R-IA-2]

Rep. Leach, James A. [R-IA-2]

United States · Official source

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3,894 records where Rep. Leach, James A. [R-IA-2] is listed as a sponsor, author, or other actor. Search with topics and years

Bill· HRH.R. 3192 (106th)referred

Hunger Relief Act of 2000

United States · United States Congress · 1 November 1999

Hunger Relief Act of 1999 - Amends the Personal Responsibility and Work Opportunity Reconciliation Act of 1996 to remove specified restrictions on qualified aliens' eligibility for food stamp and supplemental security income benefits. Exempts food stamp provisions respecting aliens from: (1) the five-year waiting period for Federal means-tested public benefits eligibility; (2) inclusion of sponsor income and resources to an alien for State benefits eligibility; and (3) sponsor reimbursement requirements in cases of hardship. Sets forth effective dates for: (1) aliens; and (2) refugees and asylees. (Sec. 3) Amends the Food Stamp Act of 1977 to authorize a State to use an alternative State auto valuation rather than the Federal one in order to provide a lower household resource attribution for food stamp program purposes. (Sec. 4) Increases, and indexes for inflation, the food stamp excess shelter deduction. (Sec. 5) Amends the Emergency Food Assistance Act of 1983 to authorize additional appropriations for commodity purchases under the emergency food assistance program.

Bill· HRH.R. 3140 (106th)referred

Food and Medicine for the World Act

United States · United States Congress · 25 October 1999

Food and Medicine for the World Act - Prohibits the President from imposing a unilateral agricultural sanction or unilateral medical sanction against a foreign country, except in specified circumstances, unless: (1) not less than 60 days before the sanction is proposed to be imposed, the President makes a specified report to Congress; and (2) Congress enacts a joint resolution approving the report.

Bill· HRH.R. 3083 (106th)open

Battered Immigrant Women Protection Act of 1999

United States · United States Congress · 14 October 1999

Battered Immigrant Women Protection Act of 1999 - Amends the Immigration and Nationality Act to modify procedures and provide special rules for battered spouses and children with respect to: (1) adjustment of status; (2) removal and deportation; (3) implementation of immigration provisions in the Violence Against Women Act (VAWA); (4) waivers and exceptions to inadmissibility for otherwise qualified battered immigrants; (5) calculation of physical presence in VAWA cancellation of removal proceedings and suspension of deportation proceedings; (6) VAWA immigration protections; (7) VAWA cancellation of removal and adjustment of status for certain nonpermanent residents; and (8) good moral character determinations for self- petitioning immediate relatives. (Sec. 10) Prescribes guidelines for inapplicability of public charge determinations for designated aliens. Amends the Personal Responsibility and Work Opportunity Reconciliation Act of 1996 to redefine "qualified alien" to include certain battered aliens for purposes of welfare and public benefits eligibility. Amends the Housing and Community Development Act of 1980 to declare restrictions on the use of assisted housing inapplicable to certain battered aliens. (Sec. 11) Amends the Departments of Commerce, Justice, and State, the Judiciary and Related Agencies Appropriations Act, 1998 to provide that requirements and restrictions placed upon Legal Services Corporation funding shall not be construed to prohibit a recipient from providing related legal assistance to certain aliens who have been battered or subjected to extreme cruelty. Directs the Violence Against Women Grants Office in the Department of Justice to report on services for underserved populations. Amends the Omnibus Crime Control and Safe Streets Act of 1968 (Act) to include legal advocacy for domestic violence in immigration cases under the program of grants to encourage arrest policies. Includes alienage status within the definition of "underserved populations." Amends the Violent Crime Control and Law Enforcement Act of 1994 to include immigration-related matters under the program of rural domestic violence and child abuse enforcement grants. Amends the Family Violence Prevention and Services Act to include alienage status within the scope of underserved populations. Amends the Department of Justice Appropriations Act, 1999 to obligate funds for grants to combat violence against women, which shall include immigration-related matters. Amends the Higher Education Amendments of 1998 to include immigration-related matters under the program of campus domestic violence grants. (Sec. 12) Amends the Act to require each branch of the U.S. military to train its supervisory military officers in domestic violence dynamics in military families, and the protections available for battered immigrant women and children. Expands the purposes of training grants to combat violent crimes against women to include: (1) training immigration and asylum officers and judges; and (2) training justice system personnel on the judicial ramifications of the Violence Against Women Act, and the potential immigration consequences for perpetrators of domestic violence. Amends the Immigration and Nationality Act to express the intent of the Congress that statutory constraints upon the powers of immigration personnel not be construed as discouraging crime and domestic violence victims from reporting crimes to the police, from cooperating in criminal prosecutions, or from obtaining the legal relief needed for protection from ongoing violence. (Sec. 13) Amends the Immigration and Nationality Act to establish a humanitarian-material witness nonimmigrant classification. (Sec. 14) Extends access for battered spouses and children under the Nicaraguan and Central American Relief Act, the Haitian Refugee Immigration Fairness Act of 1998, and Federal law relating to Cuban adjustment.

Bill· HRH.R. 3046 (106th)referred

Banking and Housing Agency Accountability Preservation Act

United States · United States Congress · 7 October 1999

Banking and Housing Agency Accountability Preservation Act - Makes a provision of the Federal Reports Elimination and Sunset Act of 1995 which terminates on December 31, 1999, all reporting requirements included on a list prepared by the Clerk of the House of Representatives for the first session of the 103d Congress inapplicable to certain monetary policy, banking, and housing reporting requirements under specified Acts. Includes among the 42 exempted provisions requirements for the President's Economic Report, the annual report of the Council of Economic Advisers, and the semiannual Humphrey-Hawkins Report of the Federal Reserve. Amends the: (1) Export-Import Bank Act of 1945 to eliminate certain activity and fiscal authority reporting requirements of the Export-Import Bank; and (2) Federal Deposit Insurance Act to eliminate the requirement for a semiannual report on activities and efforts of the Federal Deposit Insurance Corporation. Amends various Acts to require the following department or agency heads to include as part of their annual reports to Congress a required annual report to the President and Congress on their department or agency's program performance for the previous fiscal year: (1) the Comptroller of the Currency; (2) the Director of the Office of Thrift Supervision; (3) the Chairperson of the Federal Deposit Insurance Corporation; (4) the Chairperson of the Federal Housing Finance Board; (5) the Chairman of the Federal Reserve Board; (6) the Chairman of the National Credit Union Administration; and (7) the Secretary of Housing and Urban Development.

Bill· HRH.R. 3027 (106th)referred

Russian Economic Restoration and Justice Act of 1999

United States · United States Congress · 5 October 1999

Russian Economic Restoration and Justice Act of 1999 - Amends the Bretton Woods Agreements Act to direct the Secretary of the Treasury to instruct the U.S. Executive Director at the International Monetary Fund (IMF) to use the U.S. vote to urge the IMF to: (1) not provide any assistance to the Russian Federation government until there is in effect a Russian federal law that implements specified economic reforms; and (2) provide assistance to the Russian Federation only to aid in implementation of such reforms. Establishes a Russian-American financial oversight commission to monitor the use of Western resources in Russia. Expresses the sense of Congress that: (1) there should be established joint United States-Russian business, economics, and agricultural education programs in which Russian Federation students on completion of their studies in the United States be required to return to the Russian Federation and work for the federal or regional government in Russia; and (2) the United States and the government of the Russian Federation should create a program which would link successful U.S. business leaders with their Russian Federation counterparts so that Russian Federation companies will be better able to access a pool of resources and knowledge to assist them in their transition to successfully competing in a market-based economy. Directs the Secretary of the Treasury to instruct the U.S. Executive Director at the IMF to use the U.S. vote to urge the IMF to create a commission, composed of prominent international financial experts, to draw up recommendations for reforming the IMF, with a view to achieving more transparency in the structures of the IMF and increasing the effectiveness of its programs while decreasing financial risk. Establishes a pilot housing loan program (to be administered through a nonprofit corporation) in which the average Russian citizen may attain affordable home ownership.

Bill· HRH.R. 2947 (106th)referred

Home Energy Generation Act

United States · United States Congress · 24 September 1999

Home Energy Generation Act - Amends the Federal Power Act to mandate that: (1) each retail electric supplier make available an electric energy meter capable of net metering to certain retail customers that have installed an energy generation unit intended for net metering; and (2) rates, charges, and contract terms for electric energy sales to customer-generators be equal to those that would be applicable if the customer-generator did not own or operate a qualified generation unit and use a net metering system. Prescribes the manner in which such retail electric suppliers shall calculate the net energy measurement and billing for a customer using a net metering system. Sets forth public disclosure and safety and performance standards. Grants the Federal Energy Regulatory Commission (FERC) regulatory oversight with respect to safety standards and attendant charges. Sets a deadline for FERC to promulgate: (1) model interconnection standards between local distribution systems and qualified generation units and electric generation units; and (2) regulations ensuring simplified contracts will be used for the interconnection of electric energy by electric energy transmission or distribution systems and generating facilities with a power production capacity of 250 kilowatts or less.

Bill· HRH.R. 2924 (106th)open

Hedge Fund Disclosure Act

United States · United States Congress · 23 September 1999

Hedge Fund Disclosure Act - Requires each unregulated hedge fund to submit quarterly reports for public dissemination to the Board of Governors of the Federal Reserve System, including: (1) total assets and notional amount of its derivatives position; (2) the balance sheet leverage ratio of assets to liabilities; (3) meaningful, comprehensive measures of market risk; and (4) such other information as selected regulatory agencies may require. Provides for sequestration of any proprietary information. Defines unregulated hedge fund as: (1) any pooled investment vehicle with capital of $3 billion or more that is privately organized, administered by professional investment managers, not widely available to the public, and is not registered as an investment company under the Investment Company Act of 1940; and (2) any group or family of such pooled investment vehicles with total assets under management of $20 billion or more. Authorizes judicial enforcement of orders issued by designated regulatory agencies. Denies judicial review of any order issued by such agencies. Expresses the sense of Congress that each public company, including financial institutions, should regularly and publicly disclose a summary of its direct material credit exposures to significantly leveraged financial institutions, including commercial banks, investment banks, finance companies, and unregulated hedge funds. Directs the Securities and Exchange Commission, the Commodities Futures Trading Commission, and the Federal banking agencies to prescribe regulations to require such disclosures. Amends the Federal Deposit Insurance Act to mandate that each appropriate Federal banking agency prescribe safety and soundness standards pertaining to counterparty risk management.

Bill· HRH.R. 2896 (106th)referred

Foreign Money Laundering Deterrence and Anticorruption Act

United States · United States Congress · 21 September 1999

Foreign Money Laundering Deterrence and Anticorruption Act - Amends Federal law governing monetary transactions to set forth requirements relating to transactions and accounts with or on behalf of foreign entities. (Sec. 4) Expresses the sense of Congress that, in its deliberations with another country concerning money laundering and corruption issues, the United States should: (1) emphasize an approach that addresses not only the laundering of traditional criminal activity proceeds, but also the endemic problem of governmental corruption and the corruption of ruling elites; and (2) encourage enactment and enforcement of laws in such country to prevent money laundering and systemic corruption. Directs the Secretary of the Treasury to: (1) instruct the United States Executive Directors of each international financial institution to oppose any loan, disbursement, or other utilization of resources by the international financial institution (other than to address basic human needs) for any country the Secretary determines has a high level of corruption and is not taking meaningful steps to reduce it; and (2) report annually to Congress on deliberations between the United States and other countries regarding money laundering and corruption issues. (Sec. 5) Revises Federal law with respect to immunity from civil liability for disclosures of suspicious monetary transactions made by a financial institution and any of its directors, officers, employees, or agents to: (1) limit such disclosures to those made to an appropriate governmental agency; (2) extend such immunity to an independent accountant who audits a financial institution; and (3) include immunity from liability under contracts or other legally enforceable agreements. Extends such immunity also to any failure to notify either the subject of such disclosure, or any other person identified in it. Makes such immunity inapplicable to any disclosure or communication required under Federal securities law unless such law specifically refers to the Currency and Foreign Transactions Reporting Act of 1970. Prohibits notification of such disclosures or their contents to any person involved in the suspect transaction by any person, including any Government officer or employee, who knows that a report has been made. Exempts from such prohibition any use of related information by government officers in the conduct of either official duties or law enforcement, regulatory, or investigative proceedings. States that written employment references submitted by a financial institution to another upon request may disclose information concerning possible involvement in suspicious transactions relevant to possible illegalities. Shields from civil liability any financial institution and its directors, officers, employees, and agents for such a disclosure, unless it is false or made with reckless disregard for the truth. (Sec. 6) Amends Federal criminal law to specify new unlawful money laundering activities, including: (1) fraud committed against a foreign governmental entity; (2) certain munitions smuggling or export; (3) misuse of funds of certain international institutions, including the International Monetary Fund; and (4) failure to report to the appropriate Federal agency the ownership or control of a foreign corporation, of a financial account, or of a beneficial interest in a foreign trust. (Sec. 7) Imposes a fine or imprisonment penalty for false statements concerning the identity of customers of financial institutions.

Bill· HRH.R. 2848 (106th)open

New Markets Initiative Act of 1999

United States · United States Congress · 13 September 1999

New Markets Initiative Act of 1999 - Title I: New Markets Venture Capital Program - Amends the Small Business Investment Act of 1958 to direct the Small Business Administration (SBA) to establish a New Markets Venture Capital Program, under which the SBA may: (1) enter into a participation agreement with each new market venture capital company (company) for encouraging venture capital investment in smaller enterprises located in urban and rural areas; (2) guarantee debentures issued by each company; and (3) make technical assistance grants to each company. Makes eligible as a participating company in the Program one which: (1) is a newly formed for-profit entity or newly formed for-profit subsidiary of an existing company; and (2) has a management team with experience in community development financing or venture capital financing. Outlines application requirements and SBA selection criteria, requiring the SBA to ensure that companies are chosen so that investments under the Program will be made nationwide. Outlines conditions to be met by each company before final approval, including: (1) a capital investment requirement of at least $5 million from investors who meet SBA-established criteria; and (2) binding commitments with non-SBA sources for Program marketing, management, and technical assistance. Authorizes the SBA to: (1) guarantee the timely payment of principal and interest on debentures issued by companies, not to exceed 150 percent of the contributed capital; (2) make grants to each company to provide marketing, management, and technical assistance for the benefit of smaller enterprises financed by such company; (3) issue trust certificates representing ownership of all or a fractional part of SBA-guaranteed debentures under this Act; and (4) charge fees with respect to any guarantee or certificate issued. Authorizes any national bank, member bank of the Federal Reserve System, and any other bank which is insured to the extent permitted under applicable State law to invest in any company or in any entity established to invest solely in such companies. Limits such investment to five percent of such bank's capital and surplus. Requires each company to provide the SBA with any required information. Subjects each company to examinations made at the direction of the Investment Division of the SBA. Authorizes the SBA to obtain injunctions and other relief against companies violating requirements of this Act, which shall include a breach of fiduciary duty in unlawful acts and omissions by company officers, directors, employees, or agents. Authorizes appropriations for FY 2000 through 2005 to carry out this title. (Sec. 103) Exempts a company from debtor status under Federal bankruptcy law. (Sec. 104) Amends the Home Owners' Loan Act to authorize a Federal savings association to invest in company securities, with an investment limit of five percent of the association's capital and surplus. Title II: Small Business Loans - Amends the Small Business Act to: (1) increase to $150,000 (formerly $100,000) the authorized outstanding loan balance for small businesses receiving start-up loans from the SBA; (2) increase from $80,000 to $120,000 the total deferred participation share threshold of an SBA-guaranteed loan for which the loan fee cannot exceed two percent; and (3) reduce the annual loan fee with respect to guaranteed loans of less than $150,000. Title III: America's Private Investment Companies - Authorizes the Secretary of Housing and Urban Development to license and regulate America's Private Investment Companies (APICs). Provides related administrative authority over APICs. Authorizes the Secretary to set and collect fees for loan guarantees and commitments made under this title. Authorizes appropriations for FY 2000 through 2003 for the cost of such loan guarantees and for administrative expenses. (Sec. 304) Outlines APIC selection criteria, requiring such APICs to: (1) be a private, for-profit entity that qualifies as a community development entity (an entity that provides investment capital for low-income communities or persons); (2) have available a minimum of $25 million in equity capital; (3) have the necessary knowledge and experience to make investments for community development in distressed areas; and (4) prepare and submit an investment strategy and a statement of public purpose goals in connection with such investments. Outlines: (1) administrative procedures concerning the selection of qualified APICs by the Secretary; and (2) APIC powers, authorities, and investment and leverage limits. (Sec. 306) Authorizes the Secretary to make commitments to guarantee the timely payment of principal and interest on debentures issued by APICs, to issue trust certificates representing ownership of all or a fractional part of such guaranteed debentures, and to guarantee such certificates. Outlines guarantee and certificate limits, terms and conditions. (Sec. 307) Authorizes an APIC to request the guarantee of a debenture that such APIC intends to issue. Provides additional APIC requirements for such requests when: (1) the proceeds of the debenture are to be used as an APIC initial expenditure for a project or activity to fund qualified low-income community investments; and (2) such expenditure would require an environmental assessment under the National Environmental Policy Act of 1969 and related laws. Authorizes the Secretary, in the latter case, to guarantee such debenture if the appropriate State or local governmental unit assumes such environmental review responsibilities. Directs the Secretary to issue regulations to carry out such a debenture guarantee only after consultation with the Council on Environmental Quality. Outlines procedures for the approval of a request for the guarantee of a debenture to be used for low-income community investment. (Sec. 308) Directs the Secretary to examine and monitor APIC operations and activities for compliance with sound management practices and satisfaction of program and procedural goals of this Act and related Acts. (Sec. 309) Authorize the Secretary to: (1) provide incentives, such as increased credit subsidies, as an award for high performance of an APIC in carrying out its investment strategy and statement of goals; and (2) provide penalties, including civil penalties and withdrawal of investment funds, for an APIC's failure to conform to such strategies and statements or noncompliance with requirements of this Act. Title IV: New Markets Credit - Amends the Internal Revenue Code to provide a new markets tax credit for taxpayers holding a qualified equitable investment, in the amount of six percent of the amount paid to the qualified community development entity for authorized investments under this Act. Provides a tax credit limit of $1.2 billion for each of calendar years 2000 through 2004, to be allocated among selected qualified community development entities. Provides for tax credit recapture in appropriate cases. Makes such credit part of the general business tax credit.

Bill· HRH.R. 2815 (106th)referred

To present a congressional gold medal to astronauts Neil A. Armstrong, Buzz Aldrin and Michael Collins, the crew of Apollo 11.

United States · United States Congress · 8 September 1999

Authorizes the President, on behalf of the Congress, to present congressional gold medals to astronauts Neil A. Armstrong, Buzz Aldrin, and Michael Collins, in recognition of their monumental and unprecedented feat of space exploration, as well as their achievements in the advancement of science and promotion of the space program. Authorizes the Secretary of the Treasury to strike and sell bronze duplicates. Requires receipts from such sales to be deposited in the U.S. Mint Public Enterprise Fund.

Bill· HRH.R. 2817 (106th)referred

Certified Nurse Midwifery Medicare Services Act of 1999

United States · United States Congress · 8 September 1999

Certified Nurse Midwifery Medicare Services Act of 1999 - Amends title XVIII (Medicare) of the Social Security Act to provide for the coverage of and payment for the following under Medicare part B (Supplementary Medical Insurance): (1) certified midwife services (currently only certified nurse-midwife services are covered); and (2) freestanding birth center services. Declares that nothing precludes certified nurse-midwives and certified midwives from teaching or supervising an intern or resident-in-training.

Bill· HRH.R. 2765 (106th)open

AIDS Marshall Plan Fund for Africa Act

United States · United States Congress · 5 August 1999

AIDS Marshall Plan Fund for Africa Act - Amends the Foreign Assistance Act of 1961 to establish the AIDS Marshall Plan Fund for Africa Corporation (AMPFA Corporation) which shall carry out a program to provide assistance for HIV-AIDS research, prevention, and treatment activities in Africa. Establishes the AIDS Marshall Plan Fund for Africa which shall consist of contributions from private sources and from foreign governments, including the governments of other G-8 countries (France, Germany, Japan, the United Kingdom, the United States, Canada, Italy, and Russia). Authorizes appropriations.

Bill· HRH.R. 2723 (106th)open

Bipartisan Consensus Managed Care Improvement Act of 1999

United States · United States Congress · 5 August 1999

Bipartisan Consensus Managed Care Improvement Act of 1999 - Title I: Improving Managed Care - Subtitle A: Grievances and Appeals - Requires a group health plan, and a health insurance issuer that provides health insurance coverage, to conduct utilization review activities that monitor or evaluate the use or coverage, clinical necessity, appropriateness, efficacy, or efficiency of health care services, procedures, or settings. (Sec. 102) Requires a plan and an issuer to provide appropriate notices to the participant, beneficiary, or enrollee for benefit claims it has denied that include reasons for denial and instructions for initiating specified internal appeals procedures, which must include procedures for an expedited review process in emergency situations. (Sec. 103) Outlines external appeals procedures for the timely resolution of certain denied claims through the use of qualified external appeal entities, which shall determine whether the plan's or issuer's decision is in accordance with the patient's medical needs. Declares that an external appeal entity's determination is binding on the plan and issuer involved. Provides for court-imposed civil monetary penalties and cease and desist orders against authorized officials of plan or issuers who refuse to timely follow the determination of an external appeal entity to provide a benefit. (Sec. 104) Requires a plan and an issuer to establish a system featuring specified components for the presentation and resolution of grievances brought by participants, beneficiaries, or enrollees, or health care providers or other individuals acting on behalf of an individual either with the individual's consent or without it if the individual is medically unable to provide it. Declares that grievances are not subject to appeal under this subtitle. Subtitle B: Access to Care - Provides that if an issuer offers coverage of services only if they are furnished through members of a network of health care professionals and providers contracting with the issuer, the issuer shall also offer the option of coverage of such services which are not furnished through members of such a network, unless enrollees are offered such non-network coverage through another plan or issuer in the group market. Makes the enrollee bear the cost of any additional premium the issuer charges for such option, and the amount of any additional cost sharing, unless it is paid by the health plan sponsor through agreement with the issuer. (Sec. 112) States that if a plan or an issuer requires or provides for designation of a participating primary care provider by a participant, a beneficiary, or an enrollee, then the plan or issuer shall permit each such person to designate any participating primary care provider available to accept such individual. Requires a plan and an issuer to permit each participant, beneficiary, or enrollee to receive medically necessary or appropriate speciality care, pursuant to appropriate referral procedures, from any qualified participating health care professional available to accept such individual. Waives such requirement in the case of specialty care if the plan or issuer clearly informs each participant, beneficiary, and enrollee of the limitations on choice of participating professionals with respect to such care. (Sec. 113) Requires a plan or an issuer providing any emergency hospital benefits to cover emergency services: (1) without the need for any prior authorization determination; (2) whether or not the health care provider furnishing such services is a participating health care provider; and (3) without regard to any other term or condition of such coverage (other than exclusion or coordination of benefits, or an affiliation or waiting period, permitted under the Public Health Service Act, the Employee Retirement Income Security Act of 1974 (ERISA), or the Internal Revenue Code, and other than applicable cost-sharing). Requires such coverage in a manner so that, if the emergency services are provided by a nonparticipating health care provider with or without prior authorization or by a participating provider without such authorization, the participant, beneficiary, or enrollee is not liable for amounts exceeding the liability that would be incurred if the services were provided by a participating provider with prior authorization. Prescribes the same coverage for maintenance care or post-stabilization care (subject to certain guidelines) by nonparticipating health care providers. (Sec. 114) Requires plans and issuers to refer participants, beneficiaries, or enrollees who have a serious disease or condition requiring treatment by a specialist to an appropriate specialist who is available and accessible (regardless of whether the specialist is participating or nonparticipating), provided the benefits for such treatment are covered by the plan or issuer. Sets forth rules governing referrals and specialists. (Sec. 115) Prohibits a plan or an issuer that requires or provides for designation of a participating primary care professional from requiring authorization or a referral by such primary care professional for gynecological care and pregnancy-related services provided by a participating health care professional (including a specialist). Requires the plan or issuer to treat the ordering of other obstetrical or gynecological care by such a participating professional as the authorization of the primary care professional. (Sec. 116) Requires certain plans and issuers to permit an enrollee to designate a pediatrician as a primary care provider for the enrollee's child. (Sec. 117) Prescribes requirements for continuity of care during a transition period for participants, beneficiaries, or enrollees undergoing treatment for an ongoing special condition in the event of a termination of: (1) a contract between the plan or an issuer and a health care provider; or (2) a contract between a plan and an issuer that results in the termination of coverage of services of a health care provider. Prescribes a 90-day basic transition period, with specified extensions in the case of scheduled surgery and organ transplantation, pregnancy, or terminal illness. (Sec. 118) Provides that a plan or issuer restricting prescription drug benefits to drugs included in a formulary to: (1) ensure participation of participating physicians in development of the formulary; (2) disclose to providers, and upon request to participants, beneficiaries, and enrollees, the nature of the formulary restrictions; and (3) consistent with the standards for a utilization review program, provide for exceptions from the formulary limitation when a non-formulary alternative is medically indicated. (Sec. 119) Prohibits a plan or issuer from: (1) denying individual participation in an approved clinical trial; (2) denying or limiting or imposing additional conditions on the coverage of routine patient costs for items and services furnished in connection with participation in the trial; and (3) discriminating against the individual on the basis of the enrollee's participation in such trial. Subtitle C: Access to Information - Specifies benefits, access, emergency coverage, prior authorization, grievance and appeals, and other pertinent information which plans and issuers shall provide to participants and beneficiaries at the time of initial coverage, annually, within a reasonable period before or after the date of significant changes, and upon request. Subtitle D: Protecting the Doctor-Patient Relationship - Prohibits any contract or agreement between a plan or issuer and a health care provider from prohibiting or otherwise restricting a health care professional from advising a participant, beneficiary, or enrollee who is the professional's patient about his or her health status or medical care or treatment for his or her condition or disease, regardless of whether benefits for such care or treatment are provided under the plan or coverage, if the professional is acting within the lawful scope of practice. Declares null and void any such contract or agreement provisions. (Sec. 132) Prohibits a plan or issuer from discriminating with respect to participation or indemnification as to any provider acting within the scope of the provider's license or certification, solely on the basis of such license or certification. (Sec. 133) Prohibits any plan or issuer from operating any physician incentive plan that does not meet certain requirements under title XVIII (Medicare) of the Social Security Act. (Sec. 134) Requires a plan or issuer to provide for prompt payment of claims in a manner consistent with Medicare clean claims requirements. (Sec. 135) Sets forth prohibitions and requirements for protection of: (1) participants, beneficiaries, enrollees, and health care providers in their use of a utilization review or grievance process; and (2) health care professionals for good faith disclosure of information to an appropriate agency or body in the interest of quality advocacy. Subtitle E: Definitions - Sets forth definitions. Title II: Application of Quality Care Standards to Group Health Plans and Health Insurance Coverage Under The Public Health Service Act - Amends the Public Health Service Act to require each plan and issuer to comply with the patient protection requirements of this Act. (Sec. 202) Requires each health insurance issuer to comply with such requirements with respect to individual health insurance coverage. Title III: Amendments to the Employee Retirement Income Security Act of 1974 - Amends ERISA to: (1) require each plan and issuer to comply with the patient protection requirements of this Act; and (2) deem a plan in compliance with subtitle A of title I of this Act to be in compliance with ERISA's claim procedure requirement with respect to claims denial. (Sec. 302) Declares that nothing in ERISA shall be construed to invalidate, impair, or supersede any cause of action under State law by a participant or beneficiary (or by his or her estate) to recover damages resulting from personal injury or wrongful death against any person (except employers and other plan sponsors) in connection with the provision of insurance, administrative services, or medical services by that person to or for a group health plan, or that arises out of the arrangement by that person for the provision of insurance, administrative services, or medical services by other persons. Denies plan or issuer liability for punitive damages in any cause of action relating to an externally appealable decision when: (1) the appeal has been completed; and (2) the plan or issuer has complied with the determination of the external appeal entity. Allows an action against an employer or other plan sponsor (or an employee of one or the other acting within the scope of employment) if it is based on the employer's or sponsor's exercise of discretionary authority to decide a claim for covered benefits, and such exercise has resulted in personal injury or wrongful death. Title IV: Application to Group Health Plans Under the Internal Revenue Code of 1986 - Amends the Internal Revenue Code to require a group health plan to comply with this Act. Deems the requirements of this Act to be incorporated into the Internal Revenue Code. Title V: Effective Dates; Coordination in Implementation - Sets forth effective dates for provisions of this Act. (Sec. 502) Requires the Secretaries of Labor, of Health and Human Services, and of the Treasury to ensure coordination in the implementation of this Act. Title VI: Health Care Paperwork Simplification - Establishes the Health Care Panel to Devise a Uniform Explanation of Benefits to devise a single form for use by third-party health care payers for the remittance of claims to providers.

Bill· HRH.R. 2743 (106th)referred

Farm and Ranch Emergency Assistance Act of 1999

United States · United States Congress · 5 August 1999

TABLE OF CONTENTS: Title I: Market Loss Assistance for Contract Commodities Title II: Market Loss Assistance for Soybeans and Other Oilseeds Title III: Removal of Trade Sanctions Title IV: Temporary Removal of Limit on Loan Deficiency Payments and Marketing Loan Gains Title V: Upland Cotton Price Competitiveness Title VI: Market Loss Assistance for Livestock and Dairy Producers Title VII: Emergency Concessional Sales and Donations Title VIII: Conservation Reserve Title IX: Early Availability of AMTA Payments Title X: Crop Insurance Farm and Ranch Emergency Assistance Act of 1999 - Designates amounts made available by this Act as an emergency requirement pursuant to the Balanced Budget and Deficit Control Act of 1985. Title I: Market Loss Assistance for Contract Commodities - Directs the Secretary of Agriculture to use specified amounts for 1999 contract commodity market loss assistance to producers under a production flexibility contract. Makes such assistance available in proportion to amounts received under a producer's flexibility contract. Title II: Market Loss Assistance For Soybeans and Other Oilseeds - Directs the Secretary to use specified amounts of Commodity Credit Corporation funds for 1999 market loss assistance to soybean and oilseed producers. Considers such assistance as payments for purposes of production flexibility contract limits. Title III: Removal of Trade Sanctions - Directs the Comptroller General to examine and report on specified aspects of trade sanctions. (Sec. 302) Prohibits the President from imposing unilateral agricultural or medical sanctions against a foreign government, with an exception for national security reasons. (Sec. 303) Directs the Secretary to make annual reports with respect to foreign sanctions and their effect on U.S. agricultural commodities. (Sec. 304) Directs the Secretary to expand agricultural export assistance to offset sanction-affected market losses. Title IV: Temporary Removal of Limit on Loan Deficiency Payments and Marketing Loan Gains - Amends the Food Security Act of 1985 to remove limits on marketing loan gains and loan deficiency payments for crop years 1999 and 2000. Title V: Upland Cotton Price Competitiveness - Amends the Agricultural Market Transition Act to: (1) reduce specified eligibility criteria with respect to upland cotton special marketing assistance; (2) make agricultural commodities pledged to the Corporation as loan collateral eligible for marketing certificate redemption; (3) eliminate related expenditure caps; and (4) revise special import quota provisions. Title VI: Market Loss Assistance for Livestock and Dairy Producers - Directs the Secretary to use specified Corporation funds to assist livestock and dairy producers. Title VII: Emergency Concessional Sales and Donations - Directs the Secretary to use specified Corporation funds for an emergency agricultural export concessional sales and donations program. Limits the amount of such funds available to assist fruit and vegetable producers. Title VIII: Conservation Reserve - Expresses the sense of Congress that the Secretary should enroll the fully authorized acreage in the conservation reserve program. Title IX: Early Availability of AMTA Payments - Amends the Agricultural Market Transition Act to authorize advance payments in full through FY 2002 under the production flexibility contract program. Title X: Crop Insurance - Directs the Secretary to use specified Corporation funds to assist producers in purchasing additional crop insurance for crop year 2000.

Bill· HRH.R. 2776 (106th)referred

Safe Air Travel for Animals Act

United States · United States Congress · 5 August 1999

TABLE OF CONTENTS: Title I: Animal Welfare Title II: Transportation Safe Air Travel for Animals Act - Title I: Animal Welfare - Amends the Animal Welfare Act to define "transport" with respect to air carrier transport of animals. Requires airlines to report to: (1) the Secretary of Agriculture in advance of any flight that will be carrying a live animal; and (2) the Secretary of Agriculture and the Secretary of Transportation concerning injury, loss, death, or mistreatment of a carried animal. Requires the Secretary of Transportation to: (1) make such information available to the public; and (2) forward animal-injury consumer complaints to the Secretary of Agriculture. Requires the Secretary of Agriculture to include animal-injury information in the annual report on animal transportation. Title II: Transportation - Amends Federal law to require airlines to include in their contract of carriage policies and procedures for animal transportation safety. Amends Federal law to provide civil penalties and compensation for animal loss, injury, or death during air transport. Directs the Secretary of Transportation to provide for animal safety cargo hold improvements.

Bill· HRH.R. 2566 (106th)referred

To direct the President to renew the membership of the United States in the United Nations Educational, Scientific and Cultural Organization (UNESCO).

United States · United States Congress · 20 July 1999

Directs the President to take all necessary steps to renew U.S. membership in the United Nations Educational, Scientific, and Cultural Organization (UNESCO). Authorizes appropriations for each fiscal year for payment of assessed and voluntary contributions to UNESCO.

Law· HRH.R. 2565 (106th)enacted

To clarify the quorum requirement for the Board of Directors of the Export-Import Bank of the United States.

United States · United States Congress · 20 July 1999

Amends the Export-Import Bank Act of 1945 to provide that a quorum of the Board of Directors of the Export-Import Bank of the United States shall consist of at least three members (currently, a majority). States that if, between July 21, 1999, and February 1, 2000, fewer than three persons hold office on such Board, the entire Board membership shall constitute a quorum until the end of such period.

Bill· HRH.R. 2551 (106th)open

Federal Prison Industries Competition in Contracting Act of 1999

United States · United States Congress · 19 July 1999

Federal Prison Industries Competition in Contracting Act of 1999 - Amends the Federal criminal code to replace provisions regarding the purchase of prison-made products by Federal departments with provisions establishing a Government-wide procurement policy relating to purchases from Federal Prison Industries (FPI). Provides that: (1) when a procurement activity of a Federal department or agency has a requirement for a specific product or service (product) that is authorized to be offered for sale by FPI and is listed in a catalog of FPI products, such activity shall solicit an offer from FPI if the purchase is expected to be in excess of the micro-purchase threshold; and (2) a contract award for such product or service shall be made using competitive procedures, except where FPI cannot expect to receive the contract award on a competitive basis and that award is necessary to maintain work opportunities to prevent circumstances expected to significantly endanger penal or correctional facility administration. Requires a contract to be awarded to FPI if the contracting officer determines that: (1) the prison-made product will meet the requirements of the procurement activity; (2) timely performance can be reasonably expected; and (3) the contract price does not exceed a current market price. Sets forth provisions regarding determinations by the Attorney General, competitive offers from FPI, performance by FPI, finality of the contracting officer's decision, reporting of purchases, and publication, maintenance, and revision of the catalog. (Sec. 3) Modifies provisions regarding: (1) FPI administration to require that a decision to authorize FPI to offer a new specific product or to expand the production of an existing product be made by its board of directors, in conformance with specified requirements; and (2) an analysis of the probable impact of a proposed expansion of inmate-work activities by FPI on private sector firms and their non-inmate workers whenever FPI proposes to authorize the sale of a new specific product or service or to expand production of a current product or service. Requires such analysis to identify and consider specified factors, such as whether: (1) the specific product is an import-sensitive product; and (2) authorizing the production of the new product or performance of a new service will provide inmates with the maximum opportunity to acquire knowledge and skill in trades and occupations that will provide them with a means of earning a livelihood upon release. Prohibits the board of directors from approving a proposal for inmates to provide a service in which an inmate worker has access to: (1) personal or financial information about individual private citizens, including information relating to such person's real property, however described, without giving prior notice to such persons; or (2) data that is classified, or that will become classified after being merged with other data. Sets forth public comment requirements. Requires that the board of directors: (1) solicit comments on the required analysis from trade associations representing vendors and labor unions representing private sector workers who could reasonably be expected to be affected by approval of the proposal; and (2) be provided copies of all comments received on the expansion proposal. Authorizes the Chief Operating Officer of FPI, based on the comments received on the initial expansion proposal, to provide the board a revised expansion proposal. Makes such revised proposal subject to public comment requirements of this Act if it provides for expansion of inmate work opportunities in an industry different from that initially proposed. (Sec. 4) Prohibits FPI from offering products or services as a subcontractor or supplier to a private for-profit business concern, notwithstanding that the product or service being furnished by such concern will ultimately be supplied to the U.S. Government, the government of the District of Columbia, an agency of a State government or any political subdivision thereof, or an eligible not-for-profit organization. (Sec. 5) Amends the Federal criminal code to require that wages earned by an inmate worker of FPI be paid in the name of such worker, and that deductions aggregating to not more than 80 percent of gross wages be taken from the wages due for: (1) applicable taxes; (2) payment of fines and restitution pursuant to court order; (3) payment of additional restitution for victims of the inmate's crimes (at a rate not less than ten percent of gross wages); (4) allocations for support of the inmate's family pursuant to statute, court order, or agreement with the inmate; (5) allocations to a fund in the inmate's name to facilitate such inmate's assimilation into society, payable at the conclusion of incarceration; and (6) such other deductions as may be specified by the Director of the Bureau of Prisons. (Sec. 6) Amends the code to require that not less than 20 percent of the gross profits of the corporation at the end of each fiscal year be allocated to fund vocational training for inmates without regard to the type of work activities to which they are assigned. (Sec. 7) Revises requirements for reporting by the board to Congress to: (1) include additional information within its annual reports, such as certain analyses of sales and purchases and of the inmate workforce, and data concerning employment obtained by released inmates; and (2) require that copies of such reports be made available to the public at a price not exceeding the cost of printing. (Sec. 9) Sets forth provisions regarding revisions to the Government-wide Federal Acquisition Regulation to implement this Act, including requirements of public participation.

Resolution· HRESH.Res. 254 (106th)passed

Expressing the sense of the House of Representatives condemning recent hate crimes in Illinois and Indiana.

United States · United States Congress · 19 July 1999

Resolves that the House of Representatives: (1) condemns the senseless violence that occurred in Illinois and Indiana over the Fourth of July weekend; (2) conveys its deepest sympathy to the victims and their families; (3) condemns the culture of hate and the hate groups that foster such violent acts; (4) commends the communities of Illinois and Indiana for uniting to condemn these acts of hate in their neighborhoods; (5) commends the efforts of Federal, State, and local law enforcement officials; and (6) reaffirms its commitment to a society that fully respects and protects all people, regardless of race, religion, or ethnicity.

Law· HRH.R. 2401 (106th)enacted

U.S. Holocaust Assets Commission Extension Act

United States · United States Congress · 30 June 1999

U.S. Holocaust Assets Commission Extension Act of 1999 - Amends the U.S. Holocaust Assets Commission Act of 1998 to extend through December 31, 2000, the deadline for the final report to the President of the Presidential Advisory Commission on Holocaust Assets in the United States with regard to any recommendations for legislative, administrative, or other action with respect to certain assets of victims of the Holocaust that are in the control or possession of the U.S. Government (including the Board of Governors of the Federal Reserve System and any Federal reserve bank) at any time after January 30, 1933. Authorizes appropriations for Commission activities through FY 2001.

Resolution· HRESH.Res. 228 (106th)open

Expressing the sense of the House of Representatives regarding the peace process in Colombia and calling on the government and all other parties to the current conflict in Colombia to take steps to advance the peace process so as to end the ongoing violence which continues to pose a serious threat to democracy, human rights, and economic and social stability in that nation.

United States · United States Congress · 29 June 1999

Commends: (1) the Colombian people for their continued demonstration of support for the democratic process as well as for an end to internal conflict; (2) President Andres Pastrana for his commitment to seek an end to the guerilla insurgency and paramilitary violence in Colombia and for his efforts to begin a peace process; and (3) the Colombian Government and military leadership for their initial steps toward removing from the armed forces officers found to be linked to illegal and unacceptable activities of paramilitaries. Condemns the violations of human rights, including murder and kidnappings, that continue in Colombia, particularly the murder by the Revolutionary Armed Forces of Colombia (FARC) guerrillas of three U.S. citizens, the disappearance of three U.S. missionaries of the New Tribes Mission in territory controlled by FARC, and the recent mass kidnappings and hijackings by the National Liberation Army (ELN) which resulted in two U.S. citizens being taken hostage. Urges: (1) the leaders of FARC and ELN, and the leaders of the paramilitary groups, to end the violence, agree to suspend all kidnappings, release all hostages, renounce their relationships with the narcotics trade, and negotiate a meaningful peace accord with the Government of Colombia; and (2) the Colombian Government to rapidly implement a program to help protect threatened human rights workers. Encourages FARC and the Government of Colombia to agree to the establishment of an international observer group that would monitor the "despeje" zone and report on illegal narcotics activities and human rights abuses in that zone. Urges FARC to demonstrate its renunciation of the narcotics trade by eradicating coca cultivation in 10,000 hectares of that zone and by cooperating with the Government of Colombia in converting those hectares to the cultivation of legal crops. Welcomes the agreement between FARC and the Government of Colombia to create a commission to investigate and provide a final report on the fate of the three U.S. missionaries. Calls upon the international community to play a more active role in helping to resolve the internal conflict in Colombia by encouraging all sides to participate in the peace process. Declares that the House of Representatives reaffirms U.S. support for the peace process, commits the United States to assist the Government of Colombia in finding a peaceful resolution to the internal conflict, continues to support U.S. assistance to help strengthen political stability and economic growth, and continues to cooperate with all segments of Colombian society who demonstrate a clear and unequivocal commitment to combating the drug trade within Colombia.

Bill· HRH.R. 2339 (106th)open

National Discovery Trails Act of 1999

United States · United States Congress · 24 June 1999

National Discovery Trails Act of 1999 - Amends the National Trails System Act to provide for the establishment, as components of the National Trails System, of national discovery trails which shall be extended, continuous interstate trails located so as to provide for outdoor recreation and travel and to connect representative examples of America's trails and communities. Requires the appropriate Secretary for each national discovery trail to administer the trail in cooperation with a competent trailwide nonprofit organization. Prohibits a trail from being considered feasible and desirable for designation as a national discovery trail unless it: (1) links to one or more areas within the boundaries of a metropolitan area and joins with other trails, tying the National Trails System to significant recreation and resources areas; (2) is supported by a competent trailwide volunteer-based organization and has extensive local and trailwide support by the public, user groups, and affected State and local governments; and (3) extends and passes through more than one State and, at a minimum, is a continuous, walkable route. Requires the responsible Secretary, within three complete fiscal years after enactment of legislation designating a national discovery trail, to submit to specified congressional committees a comprehensive plan: (1) for the protection, management, development, and use of the Federal portions of the trail; and (2) for technical assistance to States, local governments, and private landowners, as requested, for non-Federal portions of the trail. Designates as a national discovery trail the 6,000-mile American Discovery Trail which shall extend from Cape Henlopen State Park in Delaware to Point Reyes National Seashore in California, traveling northern and southern routes from Cincinnati, Ohio, to Denver, Colorado.

Bill· HRH.R. 2355 (106th)referred

Employment Non-Discrimination Act of 1999

United States · United States Congress · 24 June 1999

Employment Non-Discrimination Act of 1999 - Prohibits employment discrimination on the basis of sexual orientation by covered entities. Declares that a disparate impact does not establish a prima facie violation of this Act. Prohibits related retaliation and coercion. Declares that this Act does not apply to the provision of employee benefits for the benefit of an employee's domestic partner. Prohibits the Equal Employment Opportunity Commission from: (1) collecting statistics on sexual orientation from covered entities; and (2) compelling covered entities to collect such statistics. Prohibits: (1) quotas and preferential treatment; and (2) an order or consent decree for a violation of this Act that includes a quota or preferential treatment. Declares that this Act does not apply to: (1) religious organizations (except regarding employment in a position the duties of which pertain solely to activities of the organization that generate unrelated business income subject to taxation under specified Internal Revenue Code provisions); (2) the relationship between the United States and members of the armed forces; or (3) laws creating special rights or preferences for veterans. Provides for enforcement. Prohibits the imposition of affirmative action for a violation of this Act. Disallows State immunity. Makes the United States or a State liable for all remedies (except punitive damages, with compensatory damages available to the extent specified in certain existing provisions of law) to the same extent as under specified provisions of the Civil Rights Act of 1964. Allows recovery of attorney's fees. Requires posting notices for employees, applicants, and members.

Bill· HRH.R. 2341 (106th)referred

Safety Net Preservation Act of 1999

United States · United States Congress · 24 June 1999

Safety Net Preservation Act of 1999 - Amends title XIX (Medicaid) of the Social Security Act to establish a new prospective payment system for federally-qualified health centers and rural health clinics.

Law· HRH.R. 2303 (106th)enacted

History of the House Awareness and Preservation Act

United States · United States Congress · 22 June 1999

History of the House Awareness and Preservation Act - Directs the Librarian of Congress to: (1) prepare a new and complete written history of the U.S. House of Representatives; (2) in preparing the history, consult, commission, or engage the services or participation of eminent historians and Members or former Members of the House; (3) arrange for the printing of the history and the dissemination of excerpts of the history over the Internet; (4) make the history available for sale to the public; and (5) make available, free of charge, a limited number of copies to each Member of the House of Representatives and to the Senate. Sets forth guidelines for the history. Authorizes the Librarian to solicit and accept private funding for the publication, marketing, and public distribution of the history. Directs the Librarian to accept for deposit, preserve, maintain, and make accessible, an oral history of the House as told by its Members and former Members, compiled and updated (on a voluntary or contract basis) by the U.S. Association of Former Members of Congress or other outside organization. Expresses the sense of the Congress that: (1) orientation programs for freshman Members of the House should contain a seminar on the history of the House; and (2) the Speaker of the House should conduct a series of forums on the topic of such history.

Bill· HRH.R. 2269 (106th)open

Code of Conduct on Arms Transfers Act of 1999

United States · United States Congress · 17 June 1999

Code of Conduct on Arms Transfers Act of 1999 - Prohibits U.S. military assistance and arms transfers to a foreign government unless the President certifies to Congress that such government: (1) meets specified conditions regarding democracy, including that it was chosen by free and fair elections and promotes civilian control of the military, the rule of law, and respect for individual rights; (2) does not engage in human rights violations, investigates and prosecutes those responsible for human rights violations, permits access to political prisoners by international organizations, and provides access to such organizations in situations of conflict or famine; (3) is not engaged in acts of armed aggression in violation of international law; and (4) is participating in the United Nations Register of Conventional Arms. Authorizes the President to request from Congress an exemption from such prohibition, stating that: (1) it is in the national security interest to provide military assistance and arms transfers to a government; or (2) an emergency exists under which it is vital to the U.S. interest to do so. Makes the exemption effective upon such request, unless disapproved by Congress. Directs the President to: (1) compile a list of countries that do not meet the requirements of this Act; (2) notify the governments participating in the Wassenaar Arrangement on Export Controls for Conventional Arms and Dual Use Goods and Technologies, done at Vienna, July 11 and 12, 1996, that the listed countries are ineligible to receive U.S. arms sales and military assistance; and (3) request that the notified countries also declare the listed countries as ineligible for arms sales and military assistance. Requires the President to continue efforts through the United Nations and other international fora, such as the Wassenaar Arrangement, to limit arms transfers worldwide, particularly transfers to the listed countries, for the purpose of establishing a permanent multilateral regime to govern the transfer of conventional arms. Directs the President, in conjunction with the submission of the annual congressional presentation documents for foreign assistance programs, to report to Congress on progress made toward establishing such regime.

Bill· HRH.R. 2166 (106th)passed

Bear Protection Act of 1999

United States · United States Congress · 10 June 1999

Bear Protection Act of 1999 - Prohibits any person from: (1) importing bear viscera into, or exporting it from, the United States; or (2) selling bear viscera, bartering, offering it for sale or barter, or purchasing, possessing, transporting, delivering, or receiving it in interstate or foreign commerce. Subjects persons who violate such prohibitions to specified penalties. Waives such prohibition for wildlife law enforcement purposes where a valid permit has been issued. Requires the Secretary of the Interior and the Secretary of State to discuss issues involving such trade with the appropriate representatives of countries that are the leading importers, exporters, or consumers of such products. Requires the Secretary of the Interior to report to Congress on the progress of efforts to end illegal trade in bear viscera.

Bill· HRH.R. 2120 (106th)referred

Equity in Prescription Insurance and Contraceptive Coverage Act of 1999

United States · United States Congress · 10 June 1999

Equity in Prescription Insurance and Contraceptive Coverage Act of 1999 - Amends the Employee Retirement Income Security Act of 1974 and the Public Health Service Act to prohibit a group health plan, and a health insurance issuer providing group coverage, from: (1) excluding or restricting benefits for prescription contraceptive drugs, devices, and outpatient services if the plan provides benefits for other outpatient prescription drugs, devices, or outpatient services; (2) denying eligibility based on use or potential use of such items or services; (3) providing monetary payments or rebates to a covered individual to encourage acceptance of less than the minimum protections available; (4) penalizing, reducing, or limiting a professional's reimbursement because the professional prescribed such drugs or devices or provided such services; or (5) providing incentives to a professional to induce the professional to withhold drugs, devices, or services. Amends the Public Health Service Act to apply those prohibitions to coverage offered in the individual market.

Bill· HRH.R. 2171 (106th)referred

To require any amounts appropriated for Members' Representational Allowances for the House of Representatives for a fiscal year that remain after all payments are made from such Allowances for the year to be deposited in the Treasury and used for deficit reduction or to reduce the Federal debt.

United States · United States Congress · 10 June 1999

Requires any amounts appropriated for a representational allowance for a Member of the House of Representatives which remain after all payments are made under such allowance to be deposited in the Treasury and used for deficit reduction or, in fiscal years for which there is no Federal budget deficit, to reduce the Federal debt.

Bill· HRH.R. 2066 (106th)referred

To amend the Food Security Act of 1985 to authorize the annual enrollment of land in the wetlands reserve program, to extend the program through 2005, and for other purposes.

United States · United States Congress · 8 June 1999

Amends the Food Security Act of 1985 to extend the wetland reserve program. Replaces the total program acreage limitation with an annual enrollment limitation through FY 2005. Includes within eligible program land non-wetland areas that would substantially contribute to North American Waterfowl Management Plan habitat objectives. Authorizes program related cooperative agreements for goods and services.

Bill· HRH.R. 2020 (106th)referred

Tax Relief for Working Americans Act of 1999

United States · United States Congress · 7 June 1999

Tax Relief for Working Americans Act of 1999 - Title I: Marriage Penalty Relief - Amends the Internal Revenue Code to set the basic standard deduction for married individuals at twice the deduction for unmarried individuals. Title II: Adjustment of Social Security Earning Limit - Amends title II (Old Age, Survivors and Disability Insurance) of the Social Security Act to increase, for any taxable year ending after 1999 and before 2001, the monthly exempt amount for individuals who have attained retirement age. Title III: Incentives for Health and Long-Term Care Coverage - Provides a limited credit for the insurance costs of health and long-term care coverage for previously uninsured individuals and individuals with COBRA continuation coverage. Phases-in a deduction for the health insurance and long-term insurance costs of employees and the self-employed. Allows a limited credit for taxpayers with long-term care needs. Title IV: Expansion of Dependent Care Credit - Increases the percentage of employment-related expenses allowed as a credit. Establishes a limited credit for certain stay-at-home parents. Title V: Alternative Minimum Tax Relief - Provides that the aggregate amount of credits allowed under subpart A (Nonrefundable Personal Credits) of part IV (Credits Against Tax) of the Code shall not exceed the sum of a taxpayer's regular tax liability and the alternative minimum tax. Provides that income averaging for farmers shall not increase alternative minimum tax liability. Title VI: Elimination of 60-Month limit on Student Loan Interest Deduction - Eliminates the 60-month limit on the student loan interest deduction. Title VII: Increase in Low-Income Housing Credit State Ceiling - Increases, and links to the cost-of-living adjustment, the State low-income housing credit ceiling. Title VIII: Farm and Ranch Risk Management Accounts - Allows an individual engaged in an eligible farming (or ranching) business a deduction (in computing adjusted gross income) for any taxable year of up to 20 percent of taxable income attributable to the eligible farming business which was paid in cash by the taxpayer to a Farm and Ranch Risk Management Account (FARRM Account). Includes distributions from a FARRM account in the taxpayer's gross income, and subjects to a special ten percent surtax any distributions not made within five years of contribution. Establishes a tax on excess contributions, but exempts the taxpayer from the tax on certain prohibited transactions. Title IX: Incentives for Urban Revitalization and Open Space - Expands the areas eligible for the expensing of environmental remediation costs from qualified contamination sites within targeted areas only to qualified contamination sites anywhere within the United States. Sets forth provisions concerning the donation of capital gain real property for qualified conservation purposes. Title X: Extension of Expiring Provisions - Permanently extends the: (1) credit for increasing research activities; (2) work opportunity credit; and (3) subpart F exemption for active income financing. Modifies the placed-in-service rules for qualified facilities producing electricity from certain renewable sources. Makes the credit allowed for such production inapplicable to electricity sold to utilities under certain contracts.

Bill· HRH.R. 1993 (106th)open

Export Enhancement Act of 1999

United States · United States Congress · 27 May 1999

Export Enhancement Act of 1999 - Sets forth policy recommendations for the Overseas Private Investment Corporation (OPIC) and the International Trade Administration (ITA). Amends the Foreign Assistance Act of 1961 to extend through FY 2003 OPIC's authority to issue investment insurance and guarantees. Revises the purposes of the Trade and Development Agency to include, with respect to the promotion of U.S. private sector participation in development projects in developing and middle-income countries, special emphasis on economic sectors with significant U.S. export potential, such as energy, transportation, telecommunications, and environment. Authorizes appropriations. Authorizes appropriations to the ITA for its Market Access and Compliance program, Trade Development program, and Commercial Service program. Directs the Secretary of Commerce to take steps to ensure the appointment of United States and Foreign Commercial Service employees in no fewer than ten sub-Saharan African countries, including the adequate appointment of personnel for South and Central America and the Caribbean, in order that U.S. businesses are made aware of existing market opportunities for goods and services. Directs the ITA to undertake the Global Diversity and Urban Export Initiative in order to increase exports from minority-owned businesses, focusing on businesses in under-served areas, including inner-city urban enterprise zones. Authorizes the ITA to advertise in newspapers, business journals, and other relevant publications and related media to inform businesses about ITA services. Revises the composition of the OPIC Board of Directors. Amends the Export Enhancement Act of 1988 to require the Trade Promotion Coordinating Committee (TPCC) to develop a Federal trade promotion plan that, among other things, shall: (1) ensure that all export promotion activities of the U.S. Agency for International Development are fully coordinated and consistent with those of other agencies; (2) identify the means for providing more coordinated export promotion services to small and medium-sized businesses; and (3) establish a set of priorities to promote U.S. exports to, and free market reforms in, the Middle East, Africa, Latin America, and other emerging markets, that are designed to stimulate job growth both in the United States and those regions and emerging markets. Requires the TPCC to: (1) report on actions taken to eliminate the areas of overlap and duplication identified among Federal export promotion activities; (2) coordinate efforts to sponsor or promote any trade show or trade fair; (3) work with all relevant State and national organizations, including the National Governors' Association, that have established trade promotion offices; and (4) report to Congress on actions taken to promote better coordination among State, Federal, and private sector export promotion activities.

Bill· HRH.R. 1974 (106th)referred

Directing the President to develop a strategy to bring the United States back into full and active participation in the United Nations Educational, Scientific and Cultural Organization.

United States · United States Congress · 27 May 1999

Directs the President to develop a strategy to bring the United States back into full membership in the United Nations Educational, Scientific, and Cultural Organization (UNESCO). Directs the Department of State to report annually to Congress on actions taken to rejoin UNESCO until the United States again becomes a member.

Law· HRH.R. 1932 (106th)enacted

Father Theodore M. Hesburgh Congressional Gold Medal Act

United States · United States Congress · 25 May 1999

Father Theodore M. Hesburgh Congressional Gold Medal Act - Authorizes the President to present, on behalf of Congress, a congressional gold medal to Father Theodore M. Hesburgh in recognition of his outstanding and enduring contributions to civil rights, higher education, the Catholic Church, the Nation, and the global community. Authorizes the Secretary of the Treasury to strike and sell bronze duplicates. Authorizes appropriations.

Law· HRH.R. 1883 (106th)enacted

Iran Nonproliferation Act of 2000

United States · United States Congress · 20 May 1999

Iran Nonproliferation Act of 1999 - Directs the President to report periodically to specified congressional committees on foreign persons who, on or after January 22, 1998, have transferred to Iran: (1) controlled goods, services, or technology; or (2) non-controlled goods, services, or technology that would nevertheless would be, if they were U.S. goods, services, or technology, prohibited for export to Iran because of their potential contribution to the development of nuclear, biological, or chemical weapons, or ballistic missile systems. Excludes from identification in such reports any such persons who were previously identified, or who have acted on behalf of, or in concert with, the U.S. Government. Authorizes the President, with specified exceptions, to apply to such foreign person certain measures: (1) set forth in Executive Order 12938 prohibitions; (2) prohibiting the sale to such persons of defense items on the United States Munitions List and defense articles and defense services, or design and construction services under the Arms Export Control Act; and (3) prohibiting the export to such persons of controlled goods and technology under the Export Administration Act of 1979. Prohibits any U.S. agency from making extraordinary payments to the Russian Space Agency in connection with the International Space Station, or any other organization or entity of the Government of the Russian Federation, unless the President has determined, and reported to specified congressional committees, that: (1) it is the policy of the Government of the Russian Federation to oppose the proliferation to Iran of weapons of mass destruction and missile systems capable of delivering such weapons; (2) such government is taking the necessary steps to prevent the transfer from Russia to Iran of goods, services, and technology useful in the development of such weapons and systems; and (3) neither the Russian Space Agency, nor any organization under its control, has, during the one-year period prior to the determination, made transfers to Iran of controlled goods, services, or technology or non-controlled goods, services, or technology that has potential to contribute to Iran's development of nuclear, biological, or chemical weapons, or of ballistic missile systems.

Bill· HRH.R. 1899 (106th)referred

Health Care Worker Needlestick Prevention Act

United States · United States Congress · 20 May 1999

Health Care Worker Needlestick Prevention Act - Directs the Secretary of Labor, acting through the Occupational Safety and Health Administration (OSHA), to amend the bloodborne pathogens standard to require that: (1) employers utilize needleless systems and sharps with engineered sharps injury protections in their work sites to prevent the spread of bloodborne pathogens; and (2) non-managerial direct care health care workers of employers participate in the identification and evaluation of such systems and sharps. Provides an exemption where an employer demonstrates that needleless systems and sharps: (1) do not promote employee safety, interfere with patient safety, or interfere with the success of a medical procedure under certain circumstances in the employer's work facility; or (2) are not commercially available to the employer. (Sec. 2) Includes under such revised standard requirements relating to: (1) exposure control plans; (2) sharps injury logs; and (3) worker training in the use of such systems and sharps. (Sec. 3) Requires the Director of the National Institute for Occupational Safety and Health (NIOSH) to establish and maintain a national database on existing needleless systems and sharps with engineered sharps injury protections. Requires the Director to: (1) develop a set of evaluation criteria for use by employers, employees, and other persons in evaluating and selecting such systems and sharps; (2) develop a model training curriculum to train employers, employees, and other persons in such evaluation process, and provide requested technical assistance to the extent feasible; and (3) establish a national system to collect comprehensive data on needlestick injuries to health care workers, including data on mechanisms to analyze and evaluate prevention. Authorizes NIOSH access to information recorded by employers in sharps injury logs. Authorizes appropriations. (Sec. 5) Directs the Secretary of Health and Human Services to require hospitals, as a condition of their Medicare program participation, to comply with the bloodborne pathogen standard as amended under this Act with respect to hospital employees, even if they are not otherwise subject to such standard because they are exempt from OSHA regulation.

Law· HRH.R. 1795 (106th)enacted

National Institute of Biomedical Imaging and Bioengineering Establishment Act

United States · United States Congress · 13 May 1999

National Institute of Biomedical Imaging and Engineering Establishment Act - Amends the Public Health Service Act to provide for the establishment of the National Institute of Biomedical Imaging and Engineering. Requires the Director of the Institute to establish a National Biomedical Imaging and Engineering Program which shall include research and related technology assessments and development in biomedical imaging and engineering. Requires the Director, with respect to such Program, to prepare and transmit to the Secretary of Health and Human Services and the Director of the National Institutes of Health (NIH) a plan to initiate, expand, intensify, and coordinate Institute biomedical imaging and engineering activities. Requires: (1) the consolidation and coordination of Institute biomedical imaging and engineering research and related activities with those of the NIH and other Federal agencies; and (2) the establishment of an Institute advisory council. Authorizes: (1) appropriations for the Institute for FY 2000 through 2002; and (2) the transfer of appropriate NIH personnel and research facilities for Institute activities.

Bill· HRH.R. 1798 (106th)open

Clinical Research Enhancement Act of 1999

United States · United States Congress · 13 May 1999

Clinical Research Enhancement Act of 1999 - Amends the Public Health Service Act to require the Director of the National Institutes of Health (NIH) to: (1) support and expand the NIH's involvement in clinical research; (2) support and expand the resources available for the clinical research community; and (3) establish peer review mechanisms. (Sec. 4) Mandates grants to: (1) establish general clinical research centers to provide the infrastructure for clinical research, including clinical research training and career enhancement; (2) support individual careers in clinical research at general clinical research centers or other institutions (to be known as Mentor Patient-Oriented Research Career Development Awards); (3) support individual clinical research projects at general clinical research centers or other institutions (to be known as Mid-Career Investigator Awards in Patient-Oriented Research); and (4) support individuals pursuing master's or doctoral degrees in clinical investigation (to be known as graduate training in clinical investigation awards). Authorizes appropriations. (Sec. 5) Increases the limit on the aggregate number of scholarship (regarding professions needed by the NIH) and loan repayment (regarding clinical researchers from disadvantaged backgrounds) contracts under specified provisions. Modifies the loan repayment program to: (1) remove current references to disadvantaged backgrounds; and (2) require a period of service in a general clinical research center, in clinical NIH research, or as a physician receiving a clinical research career enhancement award or a graduate training in clinical investigation award (currently, a period of service as an NIH employee). Requires that at least 50 percent of the loan repayment contracts involve individuals from disadvantaged backgrounds. Authorizes appropriations to carry out the loan repayment provisions. (Sec. 7) Directs the Comptroller General to report to Congress on the extent to which the NIH has complied with requirements of this Act.

Bill· HRH.R. 1776 (106th)open

American Homeownership and Economic Opportunity Act of 2000

United States · United States Congress · 12 May 1999

TABLE OF CONTENTS: Title I: Removal of Barriers to Housing Affordability Title II: Homeownership Through Mortgage Insurance and Loan Guarantees Title III: Section 8 Homeownership Option Title IV: Community Development Block Grants Title V: Home Investment Partnerships Program Title VI: Local Homeownership Initiatives Title VII: Manufactured Housing Improvement Title VIII: Indian Housing Homeownership Title IX: Transfer of Unoccupied and Substandard Hud-Held Housing to Local Governments and Community Development Corporations Title X: Private Mortgage Insurance Cancellation and Termination American Homeownership and Economic Opportunity Act of 1999 - Title I: Removal of Barriers to Housing Affordability - Housing Affordability Barrier Removal Act of 1999 - Requires proposed and final agency rules to analyze their impact upon affordable housing availability, including provision for interested parties to offer alternatives, which shall be incorporated into the final rule if found to accomplish required objectives with a less deleterious effect upon housing. Directs the Secretary of Housing and Urban Development (HUD) to develop model housing impact analyses. (Sec. 103) Amends the Housing and Community Development Act of 1992 to authorize direct appropriations for State and local grants for regulatory barrier removal. Makes consortia of local governments eligible grantees. Requires grant use in coordination with the local comprehensive affordability strategy under the Cranston-Gonzalez National Affordable Housing Act. (Sec. 104) Amends the Housing and Community Development Act of 1974 to require jurisdictions to make good faith efforts at affordable housing barrier removal in order to qualify for community development block grants (CDBG) (without creating a private right of action). (Sec. 105) Amends the Housing and Community Development Act of 1992 to state that the regulatory barriers clearinghouse shall be established within the Office of Policy Development of HUD under the direction of the Assistant Secretary for Policy Development and Research. Title II: Homeownership Through Mortgage Insurance and Loan Guarantees - Directs the Comptroller General of the United States to conduct a study of mandatory inspection requirements under the single family housing mortgage insurance program. (Sec. 202) Amends the National Housing Act to extend the loan term for manufactured home lot purchases. (Sec. 203) Neighborhood Teachers Act - Amends the National Housing Act to establish a (temporary) discounted home purchase program for elementary and secondary teachers. Sets forth program provisions, including a three-year residential use requirement. (Sec. 204) Authorizes mortgage insurance to refinance existing home equity conversion mortgages. Title III: Section 8 Homeownership Option - Amends the United States Housing Act to provide a single grant home ownership downpayment option under the section 8 housing assistance program. Title IV: Community Development Block Grants - Amends the Housing and Community Development Act of 1974 to authorize appropriations for the CDBG program. Prohibits set-asides, with specified exceptions. (Sec. 403) Authorizes block grant use for: (1) qualifying municipal employee (including teachers) home ownership assistance; and (2) brownfields projects environmental cleanup and economic development. (Sec. 405) Amends the Cranston-Gonzalez National Affordable Housing Act to authorize appropriations for the housing opportunities for persons with AIDS program. Title V: Home Investment Partnerships Program - Amends the Cranston-Gonzalez National Affordable Housing Act to authorize appropriations for affordable housing programs. Prohibits set-asides, with specified exceptions. (Sec. 502) Makes limited equity cooperatives and mutual housing associations eligible for home investment partnerships. (Sec. 503) Permits loan pool investment of partnership funds. (Sec. 504) Authorizes the Secretary to make home investment partnerships loan guarantees. Sets forth an aggregate loan guarantee limitation. (Sec. 505) Amends the Cranston-Gonzalez National Affordable Housing Act to make qualifying municipal employees (including teachers) eligible for home ownership assistance. Title VI: Local Homeownership Initiatives - Amends the Neighborhood Reinvestment Corporation Act to authorize appropriations for the Neighborhood Reinvestment Corporation. (Sec. 602) Amends the Housing and Community Development Act of 1992 to revise the home ownership zone grant program, including providing: (1) grant eligibility for units of general local government (currently nonprofit organizations); and (2) assistance targeting for specified low-income home buyers. Authorizes appropriations. (Sec. 603) Expresses the sense of Congress in favor of lease-to-own tenancies as home ownership tools. (Sec. 604) Amends the HUD Demonstration Act of 1993 to make the National Association of Housing Partnerships eligible for local capacity grants. Removes the specified amount of authorized appropriations. (Sec. 605) Amends the Cranston-Gonzalez National Affordable Housing Act to provide for a consolidated application and planning submission under the following programs: (1) HOME investment partnerships; (2) CDBG; (3) the economic development initiative; (4) emergency shelter grants; and (5) housing opportunities for persons with AIDS. Title VII: Manufactured Housing Improvement - Manufactured Housing Improvement Act - Amends the National Manufactured Housing Construction and Safety Standards Act of 1974 to revise Federal construction and safety provisions for manufactured homes based upon a consensus standards development process. Eliminates the National Manufactured Home Advisory Council. Title VIII: Indian Housing Homeownership - Establishes the Lands Title Report Commission to facilitate home loan Mortgages on Indian trust lands. Terminates the Commission one year after its initial meeting. Authorizes appropriations. (Sec. 802) Amends the Housing and Community Development Act of 1992 to make permanent Indian housing loan guarantee authority. Title IX: Transfer of Unoccupied and Substandard HUD-Held Housing to Local Governments and Community Development Corporations - Amends the Departments of Veterans Affairs and Housing and Urban Development, and Independent Agencies Appropriations Act, 1997 to direct the Secretary of Housing and Urban Development to transfer ownership of qualified HUD-held properties (substandard or unoccupied multifamily or unoccupied single family properties) to local governments and community development corporations under specified conditions. Title X: Private Mortgage Insurance Cancellation and Termination - Amends the Homeowners Protection Act of 1998 with respect to adjustable rate mortgages to: (1) revise definitions of "cancellation date" and "termination date"; (2) define "amortization schedule"; and (3) revise high risk loan provisions. (Sec. 1002) Authorizes modifications of termination, cancellation, and final termination date provisions. (Sec. 1003) Sets forth provisions regarding: (1) disclosure; and (2) balloon payments.

Bill· HRH.R. 1760 (106th)referred

America's Better Classrooms Act of 1999

United States · United States Congress · 11 May 1999

America's Better Classrooms Act of 1999 - Amends the Internal Revenue Code to: (1) provide a limited tax credit to holders of qualified public school construction bonds; and (2) treat such credit as taxable interest income. Amends the General Education Provisions Act to provide for the application of certain labor standards to projects financed under this Act. Amends the Workforce Investment Act of 1998 to establish provisions concerning employment and training activities related to the construction or reconstruction of public school facilities.

Bill· HRH.R. 1732 (106th)referred

America's Red Rock Wilderness Act of 1999

United States · United States Congress · 6 May 1999

TABLE OF CONTENTS: Title I: Designation of Wilderness Areas Title II: Administrative Provisions America's Red Rock Wilderness Act of 1999 - Title I: Designation of Wilderness Areas - Designates specified lands in the following areas of Utah as components of the National Wilderness Preservation System: (1) Great Basin wilderness areas; (2) Zion and Mojave Desert wilderness areas; (3) Grand Staircase-Escalante wilderness areas; (4) Moab-LaSal Canyons wilderness areas; (5) Henry Mountains wilderness areas; (6) Glen Canyon wilderness areas; (7) San Juan-Anasazi wilderness areas; (8) Canyonlands Basin wilderness areas; (9) San Rafael Swell wilderness areas; and (10) Book Cliffs and Uinta Basin wilderness areas. Title II: Administrative Provisions - Directs the Secretary of the Interior to file a map and a legal description of each designated wilderness area with appropriate congressional committees. (Sec. 203) Provides that if State-owned land is included within a designated wilderness area, then the Secretary shall offer to exchange U.S. lands in the State of approximate equal value (prohibits the transfer of associated mineral interests) in accordance with the Federal Land Policy and Management Act of 1976 and the Wilderness Act. (Sec. 204) Reserves the Federal Government's rights to a quantity of water determined by the Secretary to be sufficient for each wilderness area designated by this Act. (Sec. 205) Sets forth provisions for the measurement of setbacks for roads with wilderness. (Sec. 206) Permits authorized grazing of livestock within the designated wilderness areas to continue subject to such regulations and procedures as the Secretary considers necessary, as long as they are consistent with: (1) the Wilderness Act; and (2) the Arizona Desert Wilderness Act of 1990. (Sec. 209) Withdraws such Federal land, subject to valid rights existing on the enactment of this Act, from all forms of: (1) entry, appropriation, or disposal under public law; (2) location, entry, and patent under mining law; and (3) disposition under all laws pertaining to mineral and geothermal leasing or mineral materials. (Sec. 210) Authorizes appropriations.

Bill· HRH.R. 1657 (106th)referred

Children's Environmental Protection and Right to Know Act of 1999

United States · United States Congress · 3 May 1999

TABLE OF CONTENTS: Title I: Children's Environmental Protection Subtitle A: Disclosure of Industrial Releases That Present a Significant Risk to Children Subtitle B: Disclosure of High Health Risk Chemicals in Children's Consumer Products Title II: Public Right to Know About Toxic Chemical Use Children's Environmental Protection and Right to Know Act of 1999 - Title I: Children's Environmental Protection - Subtitle A: Disclosure of Industrial Releases That Present a Significant Risk to Children - Amends the Emergency Planning and Community Right-To-Know Act of 1986 to require the Administrator of the Environmental Protection Agency (EPA) to establish thresholds for toxic chemicals which may present significant risks to children's health or the environment. Includes lead, mercury, dioxin, cadmium, chromium, and other specified bioaccumulative chemicals as substances subject to such thresholds. Makes dioxin and specified bioaccumulative chemicals subject to toxic chemical release form reporting requirements under such Act. Authorizes citizen suits against the Administrator for failures to establish thresholds under this Act. Subtitle B: Disclosure of High Health Risk Chemicals in Children's Consumer Products - Amends the Federal Hazardous Substances Act to require the Secretary of Health and Human Services, acting through the National Toxicology Program, to publish a list of substances which are toxic due to carcinogenic, neurotoxic, or reproductive toxic effects. Directs the Secretary to identify those substances to which infants and young children are exposed. Requires manufacturers or importers of eligible products (defined as toys or other articles intended for use by children) which contain such substances to report specified information to the Consumer Product Safety Commission, including information supporting that a substance is not a misbranded or banned hazardous substance. Authorizes exemptions from such reporting requirements if a substance would not cause substantial personal injury or illness as a result of foreseeable handling, including ingestion by children. Permits citizen suits with respect to certain violations under the Federal Hazardous Substances Act and against the Commission for failure to perform duties under this Act. Title II: Public Right to Know About Toxic Chemical Use - Expands information to be included in toxic chemical release forms, including the number of employees and occupational exposures at reporting facilities as well as materials accounting information. Requires the Administrator to take certain actions to: (1) standardize data and obtain and integrate information regarding toxic chemicals; (2) consolidate all annual reporting requirements of Federal environmental laws for small businesses and entities subject to toxic chemical release reporting; and (3) provide the public with one point of contact for access to information gathered by EPA. Requires disclosures on the uses of toxic chemicals by reporting facilities. Permits the withholding of portions of materials accounting information reported by covered facilities for purposes of protecting trade secrets.

Bill· HRH.R. 1644 (106th)referred

Cuban Food and Medicine Security Act of 1999

United States · United States Congress · 29 April 1999

Cuban Food and Medicine Security Act of 1999 - Exempts from the embargo on trade with Cuba the export of food and other agricultural products (including fertilizer), medicines, medical supplies, instruments, or equipment, or any travel incident to the delivery of such items. Declares that such exemption shall not apply to certain restrictions imposed under the Export Administration Act of 1979 or the International Emergency Economic Powers Act. Amends the Agricultural Trade Act of 1978 to direct the Secretary of Agriculture to study and report to specified congressional committees on existing U.S. agricultural export promotion and credit programs to determine how such programs can be carried out to promote the consumption of U.S. agricultural commodities in Cuba. Directs the President to report to Congress on: (1) the extent (expressed in volume and dollar amounts) of sales to Cuba of food and other agricultural products (including fertilizer), medicines, medical supplies, instruments, and equipment; (2) the types and end users of such items; and (3) whether there has been any indication that any medicines, medical supplies, instruments, or equipment exported to Cuba since enactment of this Act have been used for torture or other human rights abuses, were reexported, or were used in the production of any bio-technological product.

Bill· HRH.R. 1622 (106th)referred

Dog and Cat Protection Act of 1999

United States · United States Congress · 29 April 1999

Dog and Cat Protection Act of 1999 - Prohibits: (1) the importation of dog or cat fur into the United States; and (2) any person in the United States from introducing into commerce, manufacturing, selling or offering to sell, trading, advertising, or transporting or distributing in commerce, any dog or cat fur product. Subjects a person to both civil and criminal penalties for violations of this Act.

Bill· HRH.R. 1601 (106th)referred

To amend title II of the Social Security Act to restore the link between the maximum amount of earnings by blind individuals permitted without demonstrating ability to engage in substantial gainful activity and the exempt amount permitted in determining excess earnings under the earnings test.

United States · United States Congress · 28 April 1999

Amends title II (Old Age, Survivors and Disability Insurance) (OASDI) of the Social Security Act to restore the link ended by the Senior Citizens' Freedom to Work Act of 1995 between the rules relating to substantial gainful activity for blind individuals and the rules relating to excess earnings under the social security earnings test for individuals who have attained retirement age (thus allowing blind individuals, once again, to earn up to the social security excess earnings threshold without being regarded as having demonstrated an ability to engage in substantial gainful activity and without losing entitlement to OASDI benefits). Makes this Act effective with respect to taxable years ending after 1995.

Law· HRH.R. 1568 (106th)enacted

Veterans Entrepreneurship and Small Business Development Act of 1999

United States · United States Congress · 27 April 1999

TABLE OF CONTENTS: Title I: General Provisions Title II: Veterans Business Development Title III: Technical Assistance Title IV: Financial Assistance Title V: Procurement Assistance Title VI: Reports and Data Collection Title VII: Miscellaneous Provisions Veterans Entrepreneurship and Small Business Development Act of 1999 - Title I: General Provisions - Amends the Small Business Act (the Act) to revise or add definitions. Title II: Veterans Business Development - Designates the position of Associate Administrator for Veterans Business Development. Establishes the Office of Veterans Business Development, to be administered by such Associate Administrator, who shall be responsible for the formulation, execution, and promotion of policies and programs of the Small Business Administration (SBA) that provide assistance to small businesses owned and controlled by veterans and service-disabled veterans (veteran small businesses). (Sec. 202) Establishes the National Veterans Business Development Corporation to: (1) expand the provision of and improve access to technical assistance regarding entrepreneurship for veterans; and (2) work with and organize public and private resources and the business development staffs of each Federal department and agency to assist veterans, including service-disabled veterans, with the formation and expansion of small businesses. Requires the Corporation to establish and maintain a network of information and assistance centers for use by veterans and the public. Requires an annual report from the Corporations's Board of Directors to the President and Congress describing its activities and accomplishments for the preceding year. Authorizes appropriations for FY 2000 through 2003. (Sec. 203) Establishes the Advisory Committee on Veterans Business Affairs to serve as an independent source of advice and policy recommendations concerning veterans' business affairs. Requires an annual Committee report to Congress and the President on its activities and recommendations. Title III: Technical Assistance - Directs the SBA Administrator to enter into a memorandum of understanding with the Service Corps of Retired Executives (SCORE) for the: (1) appointment by SCORE in its national office of an individual to act as National Veterans Business Coordinator; (2) assistance of SCORE in establishing and maintaining a toll-free telephone number and Internet website to provide access for veterans to information about entrepreneurship counseling and training available through SCORE; and (3) collection of statistics concerning services provided by SCORE to veterans. (Sec. 302) Requires the Secretary of Veterans Affairs, the SBA Administrator, and the head of the association formed by small business development centers under the Act to enter into a memorandum of understanding with respect to entrepreneurial assistance to veterans through small business development centers and facilities of the Department of Veterans Affairs. Title IV: Financial Assistance - Includes a service-disabled veteran within the definition of "handicapped individual" eligible for SBA general business loans. (Sec. 402) Authorizes the SBA to make loans to self-employed individuals or owners of small businesses who are called to active duty to assist such individuals with potential losses and disruption caused by mobilization or return to active duty. (Sec. 403) Makes veteran small business owners eligible for the SBA's Microloan program, Delta loan program, and State development company program. Title V: Procurement Assistance - Includes veteran small businesses within Federal contracting and subcontracting goals for small business owners and within goals for the participation of small businesses in Federal procurement contracts. Requires the head of each Federal agency to establish agency goals for the participation by small businesses owned and controlled by service-disabled veterans in that agency's procurement contracts. Title VI: Reports and Data Collection - Amends the Act and the Small Business Economic Policy Act of 1980 to require information concerning small businesses owned by veterans, including service-disabled veterans, to be included within certain reporting requirements. (Sec. 603) Directs the Administrator to report annually to the congressional small business committees on the needs of small businesses owned and controlled by veterans and service-disabled veterans. (Sec. 604) Requires the Administrator, for each fiscal year, to collect and make available to any small business information concerning the procurement practices and procedures of each Federal department and agency. Directs the Secretary, in each fiscal year, to identify U.S. veteran small businesses. Directs the Secretaries of Labor and Veterans Affairs and the Administrator to enter into a memorandum of understanding to provide for the coordination of vocational rehabilitation services, technical and managerial assistance, and financial assistance to veterans, including service-disabled veterans, seeking to employ themselves by forming or expanding small businesses. Title VII: Miscellaneous Provisions - Directs the Administrator to strengthen and reissue a specified SBA order relating to non-discrimination and special considerations for veterans, and to fully and vigorously implement such order. (Sec. 702) Requires the SBA's Office of Advocacy to evaluate the efforts of each Federal department and agency, and of private industry, to assist veteran small businesses, and to make appropriate recommendations to the Administrator and Congress in order to promote the establishment and growth of such businesses. (Sec. 703) Directs the Comptroller General to study whether there would exist any additional risk or cost to the United States if up to ten percent of federally-guaranteed loans were made for the acquisition or construction of fixed assets used in a trade or business rather than for the purchase or construction of residential buildings. Requires a report to the congressional veterans' and small business committees.